21 June 2017

AXA Property Trust Limited

Restated Net Asset Value 31 March 2017 (Unaudited)

This announcement replaces one released on 30 May 2017 at 18:10hrs

The Net Asset Value of the Company as at 31 March 2017, released to the market on 30 May 2017 has been re-stated following a calculation error and is now as follows:

AXA Property Trust Limited NAV PER SHARE NET ASSET VALUE (£000s) NAV DATE
Original NAV 70.26p 22,347 31 March 2017
Restated NAV 66.67p 21,206 31 March 2017


Company website:
retail.axa-im.co.uk/axa-property-trust

All Enquiries:
 
Investment Manager 
AXA Investment Managers UK Limited
Broker Services
7 Newgate Street
London EC1A 7NX
United Kingdom

Broker
Stifel Nicolaus Europe Limited
150 Cheapside
London EC2V 6ET
United Kingdom
Tel: +44 (0)20 7710 7600
 
Company Secretary
Northern Trust International Fund
Administration Services (Guernsey) Limited
PO Box 255
Trafalgar Court
Les Banques
St Peter Port
Guernsey GY1 3QL
Channel Islands
 

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